iShares MSCI ACWI USD (Acc) – ISIN IE00B6R52259

ISIN IE00B6R52259 · WKN A1JMDF · IUSQ EU World

The iShares MSCI ACWI UCITS ETF USD (Acc) is an exchange-traded index fund (ETF) from iShares that tracks the MSCI-ACWI index physically. With a total expense ratio (TER) of 0.20 % per year it is low-cost for its category. Income is automatically reinvested (accumulating); it trades as a Europe-domiciled UCITS fund. The fund spreads across 1688 individual holdings – the largest currently NVIDIA Corporation at 4.70 %. That means a single savings-plan building block gives you broad, diversified exposure to an entire market segment – the full composition plus sector and country breakdown are shown below.

ListingEurope (UCITS)
Cost (TER)0.20 %
Indexmsci-acwi
ReplicationPhysical (optimised)
DistributionAccumulating
Holdings1688

Key facts

Key facts
DistributionAccumulating
Product structurePhysical (optimised)

Data note 1

Tax (Germany)

Equity ETF: 30 % partial exemption (Teilfreistellung). Accumulating → Vorabpauschale advance tax applies. Details.

The 100 largest holdings

of 1,688 in total · as of 2026-08-25

Top holdings
#StockTickerWeight
1NVIDIA CorporationNVDA4.70 %
2Apple Inc.AAPL4.34 %
3Microsoft CorporationMSFT3.31 %
4Amazon.com Inc.AMZN2.41 %
5Alphabet Inc. Class AGOOGL1.93 %
6Advanced Petrochemical23301.77 %
7Broadcom Inc.AVGO1.54 %
8Alphabet Inc. Class CGOOG1.52 %
9Ishares Msci India Ucits EtfNDIA1.33 %
10META Platforms Inc. Class AMETA1.20 %
11Micron Technology Inc.MU1.00 %
12Eli Lilly and CompanyLLY0.95 %
13Tesla Inc.TSLA0.94 %
14JPMorgan Chase & Co.JPM0.92 %
15Samsung Electronics Co. Ltd.0059300.83 %
16Advanced Micro Devices Inc.AMD0.75 %
17Berkshire Hathaway Inc. Class BBRKB0.67 %
18ASML Holding Adr RepresentingASML0.65 %
19Exxonmobil Holdings CorporationXOM0.64 %
20SK hynix Inc.0006600.64 %
21Johnson & JohnsonJNJ0.63 %
22Visa Inc. Class AV0.62 %
23Mastercard Incorporated Class AMA0.48 %
24Ishares Msci Brazil Ucits Et Usdha4BRZ0.46 %
25AbbVie Inc.ABBV0.45 %
26Walmart Inc.WMT0.43 %
27Cisco Systems Inc.CSCO0.42 %
28Bank of America CorpBAC0.41 %
29Costco Wholesale CorporationCOST0.41 %
30Ish Msci China A Etf Usd AccCNYA0.41 %
31Lam Research CorporationLRCX0.38 %
32Intel Corp. Corp.INTC0.37 %
33Applied Materials Inc.AMAT0.36 %
34Merck & Co. Inc.MRK0.36 %
35Palantir Technologies Inc. Class APLTR0.36 %
36Caterpillar Inc.CAT0.35 %
37Chevron CorporationCVX0.35 %
38GE AerospaceGE0.35 %
39Coca-Cola CompanyKO0.34 %
40UnitedHealth Group IncorporatedUNH0.34 %
41HSBC Holdings plcHSBA0.33 %
42Netflix Inc.NFLX0.33 %
43Tencent Holdings Ltd7000.33 %
44Home Depot Inc.HD0.32 %
45Procter & Gamble CompanyPG0.32 %
46Ishares Msci Saudi Arabia CappedIKSA0.31 %
47Roche PS Par AGROP0.31 %
48Goldman Sachs Group Inc.GS0.30 %
49Novartis AGNOVN0.28 %
50Philip Morris International Inc.PM0.28 %
51Royal Bank of CanadaRY0.28 %
52RTX CorporationRTX0.27 %
53Palo Alto Networks Inc.PANW0.26 %
54Astrazeneca plcAZN0.25 %
55Morgan StanleyMS0.25 %
56Shell plcSHEL0.25 %
57Wells Fargo & CompanyWFC0.25 %
58Alibaba Group Holding Limited99880.24 %
59GE Vernova Inc.GEV0.24 %
60Mitsubishi UFJ Financial Group Inc.83060.24 %
61Nestle S.A.NESN0.24 %
62Oracle CorporationORCL0.24 %
63Siemens N AGSIE0.24 %
64Amgen Inc.AMGN0.23 %
65BHP Group Ltd.BHP0.23 %
66KLA CorporationKLAC0.23 %
67Citigroup Inc.C0.22 %
68Linde plcLIN0.22 %
69Texas Instruments IncorporatedTXN0.22 %
70Thermo Fisher Scientific Inc.TMO0.22 %
71International Business Machines CorporationIBM0.21 %
72SAP SESAP0.21 %
73Arista Networks Inc.ANET0.20 %
74Banco Santander S.A.SAN0.20 %
75Verizon Communications Inc.VZ0.20 %
76Abbott LaboratoriesABT0.19 %
77Amphenol Corporation Class AAPH0.19 %
78Marvell Technology Inc.MRVL0.19 %
79Toronto-Dominion BankTD0.19 %
80Walt Disney CompanyDIS0.19 %
81Allianz SEALV0.18 %
82Analog Devices Inc.ADI0.18 %
83Charles Schwab CorpSCHW0.18 %
84Commonwealth Bank of AustraliaCBA0.18 %
85McDonald's CorporationMCD0.18 %
86PepsiCo Inc.PEP0.18 %
87Rolls-Royce Holdings plcRR.0.18 %
88Shopify Subordinate Voting Class ASHOP0.18 %
89American Express CompanyAXP0.17 %
90At&T Inc.T0.17 %
91Banco Bilbao Vizcaya Argentaria S.A.BBVA0.17 %
92CrowdStrike Holdings Inc. Class ACRWD0.17 %
93Gilead Sciences Inc.GILD0.17 %
94Suncor Energy Inc (Canada)SU0.17 %
95Seagate Technology Holdings plcSTX0.17 %
96Al-Elm Information Security72030.17 %
97Union Pacific CorporationUNP0.17 %
98Advantest Corp.68570.16 %
99BlackRock Inc.BLK0.16 %
100Boeing CompanyBA0.16 %

Top Sectors

Information Technology30.1 %
Financials18.5 %
Industrials10.5 %
Consumer Discretionary8.5 %
Health Care8.5 %
Communication Services7.6 %
Consumer Staples4.5 %
Energy3.7 %
Materials3.5 %
Utilities2.1 %
Real Estate1.6 %

Geographic Breakdown

United States63.2 %
Japan5.1 %
United Kingdom3.1 %
Taiwan3.1 %
Canada3.0 %
Korea2.4 %
Germany2.4 %
Ireland2.1 %
France2.1 %
Switzerland2.0 %
China1.8 %
Australia1.5 %

Data note 2

Buy as a savings plan

Free savings plan on this ETF at, among others:

broker comparison.

Performance

Performance figures
Trailing (1Y)+20.4 %Year to date+12.9 %
Calendar year 2025+20.4 %
Calendar year 2026+13.7 %

Data note 3

Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

Data note 4

Based on the underlying index MSCI-ACWI's own correlations — we don't have individual price series for UCITS ETFs.

Alternative ETFs on the same index

Compared with other funds

How much this fund overlaps with others — the figure is the share of capital financing the same companies in both.

In the Alysly network

How IUSQ connects to ETFs, indices and neighbouring names — every link is a measured relation, not a recommendation.

View the full network